Recent Annual Filings for OPK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,011,698,000 $863,495,000 $1,047,814,000 $-183,570,000 $-28,197,000 $-11,303,000 $-57,698,000
2022 $2,167,259,000 $1,004,196,000 $1,395,717,000 $-341,233,000 $-95,189,000 $22,971,000 $18,481,000
2021 $2,399,715,000 $1,774,718,000 $1,788,744,000 $-56,413,000 $38,337,000 $-10,351,000 $62,499,000
2020 $2,473,063,000 $1,435,413,000 $1,386,730,000 $48,431,000 $39,476,000 $-35,076,000 $-13,241,000
2019 $2,309,272,000 $901,935,000 $1,206,900,000 $-316,864,000 $-172,522,000 $175,248,000 $-11,021,000
2018 $2,451,072,000 $990,266,000 $1,167,535,000 $-172,643,000 $-109,141,000 $140,909,000 $4,974,000
2017 $2,584,556,000 $1,067,503,000 $1,343,047,000 $-282,389,000 $-92,080,000 $61,043,000 $-77,234,000
2016 $2,766,619,000 $1,221,661,000 $1,295,207,000 $-29,555,000 $32,046,000 $-35,195,000 $-24,865,000